Submission Reports Sample Clauses

Submission Reports. Report Type Report Description
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Submission Reports. The PBM shall provide standard Rebate submission reports as defined in the Agreement. The standard Rebate Reports shall include information on Rebates invoiced, administrative fees, reconciliation, accounting transactions and cash flow.
Submission Reports. These Submission Reports from the Archive document aspects of a data submission for the Provider. Table 4.2.2-1: Submission Reports Report Type Schedule Description Ocean Color Activity Reporting Daily Transmission of activity report from Provider to CLASS. There are two types of Ocean Color Activity Reports: 1) Manifest report (ACTMANI) – contains the names of Archive Manifest files transferred to CLASS 2) File report (ACTFILE) – for each data file submitted to CLASS for archival storage, contains the file name, file size, and checksum. These reports are created and sent to CLASS every 24 hours and reflect the activity of the previous 72 hours. CLASS Activity Reporting As needed Transmission of activity report from CLASS to Provider. Provides the CLASS Activity reports to the Provider to facilitate data archive management. The CLASS Activity report includes the names of all data files ingested and archived. Report Type Schedule Description This transaction begins with the Provider requesting a CLASS Activity report covering a specific time period. CLASS creates the report and provides the file to the Provider via email attachment.

Related to Submission Reports

  • Commission Reports 16 Section 4.04.

  • Inspection; Reports A "full inspection report" comprises a Site Master File (compiled by the manufacturer or by the inspectorate) and a narrative report by the inspectorate. A "detailed report" responds to specific queries about a firm by the other Party.

  • Transaction Reports Subadviser shall provide Investment Manager a daily trade file with information relating to all transactions concerning the allocated portion of the Fund’s assets for which Subadviser is responsible and shall provide Investment Manager with such other information regarding the Fund upon Investment Manager’s reasonable request. Subadviser shall affirm or send a trade file of these transactions as instruction to the custodian of the Fund.

  • Final Reports Within ninety (90) days of receipt of the Required Documents, the Asset Representations Reviewer shall publish its findings to the Sponsor and the Indenture Trustee. The Asset Representations Reviewer shall provide the Sponsor and the Indenture Trustee with the following reports as a result of the Asset Representations Review (collectively, the “Final Reports”):

  • Additional Reports Upon ADMINISTRATOR’s request, CONTRACTOR shall make such additional reports as required by ADMINISTRATOR concerning CONTRACTOR's activities as they affect the services hereunder. ADMINISTRATOR shall be specific as to the nature of information requested and allow up to thirty (30) calendar days for CONTRACTOR to respond.

  • Progress Reports The Recipient shall submit to the OPWC, at the OPWC's request, summary reports detailing the progress of the Project pursuant to this Agreement and any additional reports containing such information as the OPWC may reasonably require.

  • Records Reports To maintain records and to prepare and file reports required by law to be filed by the Trustee or required by agreement with the Company;

  • Financial Information, Reports, Notices, etc The Borrower will furnish, or will cause to be furnished, to each Lender and the Agent copies of the following financial statements, reports, notices and information:

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